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Global Asset Allocation: Techniques for Optimizing Portfolio Management - Hardcover

 
9780471593737: Global Asset Allocation: Techniques for Optimizing Portfolio Management

Synopsis

Buying this book could be the smartest investment you make thisseason. If that sounds like a bold claim, just take a look at thelist of contributors. In it you'll find the names of twenty-nine ofthe world's foremost experts in asset allocation. Over the courseof twenty chapters, these accomplished institutional investors,academics, analysts, and traders school you in all of the hottestnew portfolio management techniques now in use around theglobe.

Not another abstruse discourse on the theoretical pros and cons ofasset allocation, Global Asset Allocation is a working,nuts-and-bolts guide for institutional investors. It outfits youwith a set of versatile new tools and techniques designed to solvereal-world problems and guide your portfolio managementdecision-making.

While broad theoretical considerations are given their due, thelion's share of this book's coverage is commanded by cutting-edgetechnical issues such as mean variance optimization, allocatingbetween styles of equity management, optimal fixed incomeportfolios, asset/liability forecasting, the critical time horizon,target asset allocation, and chaos theory.

In addition to all of the traditional classes of asset allocations,Global Asset Allocation explores a number of new and emerginginvestment horizons. Foremost among these is "the ultimateinvestment frontier," international markets, to which a sizeableportion of the book (all of Part Two) is devoted. You'll findin-depth discussions of the qualitative and quantitative aspects ofglobal asset allocation, in which various experts describe thelatest global asset allocation models, optimization methods,forecasting techniques, global bond and currency managementstrategies, risk and return analysis in country-to-countryallocation strategies, active and passive management portfoliostrategies, and much more.

Offering world-class strategies for managing global portfolios,Global Asset Allocation is an essential resource for corporatefinance professionals, pension plan sponsors, analysts, andportfolio managers looking to expand their repertoire of financialmanagement skills.

From asset liability forecasting and target asset allocation, tocritical time horizon and implementing overlay strategies, thisgroundbreaking new guide educates institutional investors instate-of-the-art portfolio management strategies guaranteed tominimize risk while maximizing returns. Bringing you the combinedinsights and expertise of twenty-nine prominent investment expertsfrom around the world, Global Asset Allocation is a workinghandbook, designed to guide your portfolio managementdecision-making and help you to solve real-world problems.
* The latest asset allocation models, optimization methods, andforecasting techniques, including passive and active portfoliostrategies
* Includes six major chapters on global asset allocation, includingcurrency management and emerging market investing

Traders, portfolio managers...investment professionals of everyilk: read this book, and use the versatile new strategies, tools,and techniques it describes to give your investment skills arazor-sharp, winning edge.

"synopsis" may belong to another edition of this title.

From the Publisher

Discusses the most promising portfolio management strategies in use today--from asset liability forecasting and target asset allocation to the critical time-horizon and implementing overlay strategies. Contains the latest global asset allocation models, forecasting techniques and optimization methods, including passive and active portfolio strategies. Features a special section on chaos theory and its applications to global allocation techniques.

About the Author

About the editors

JESS LEDERMAN is a private investor and the editor of twenty bookson global financial markets. He has been a chairman of The AssetBacked Capital Group, an executive vice president with Bear StearnsMortgage Capital Corporation, and an associate director for BearStearns & Company. Mr. Lederman designed and managed the firstblind pool raised to invest in subordinate mortgage-backedsecurities and was a co-founder of two of North America's largestprivate sector counterparts to Fannie Mae and Freddie Mac. Previousbooks which he has edited or coauthored include The handbook ofDerivatives and Synthetics, Small Cap Stocks, The Global EquityMarkets, The Global Bond Markets, and The Secondary MortgageMarket.

ROBERT A. KLEIN is a leading management consultant and coeditor ofsix other books on the financial markets. He assists Fortune 100clients and smaller firms in the areas of financial analysis andcontrol, systems and organizational design, and systems developmentand training. He was formerly assistant portfolio manager of boththe Weingarten Equity Fund and the Constellation Growth Fund. Priorto joining Wiengarten, Mr. Klein was a financial analyst forCitibank.

"About this title" may belong to another edition of this title.

  • PublisherWiley
  • Publication date1994
  • ISBN 10 0471593737
  • ISBN 13 9780471593737
  • BindingHardcover
  • LanguageEnglish
  • Edition number1
  • Number of pages400
  • EditorLederman Jess, Klein Robert A.

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